Payments & Reconciliation Specialist

trustly

Lisboa

Presencial

EUR 42 000 - 64 000

Tempo integral

Há 3 dias
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Resumo da oferta

Trustly is seeking a dedicated Cash & Payments Specialist to join our FinOps team. You will own cash management processes, support payment prioritisation, and drive efficiency across AP, accounting and treasury in a fast-paced, global environment.

You will partner with Treasury to manage cash outflows, perform reconciliations, and help streamline platforms to support multi‑currency expansion. Fluency in English is required, with a startup mentality and collaborative approach valued.

Qualificações

  • 2–3 years experience in accounts payable or treasury operations
  • Exposure to bank reconciliation and cash management beneficial
  • Proficiency in Netsuite, SAP Concur or similar systems advantageous
  • Strong analytical skills and high attention to detail
  • Fluent in English; other languages a plus

Responsabilidades

  • Work with AP and Accounting to understand what needs to be paid, when, and why
  • Partner with Treasury to manage cash outflows and align funding to payment needs
  • Support the Director of FinOps in defining and applying payment prioritisation criteria
  • Maintain and update the cash forecast, flag risks or funding gaps early
  • Perform daily, weekly and monthly bank reconciliations for assigned accounts
  • Investigate and clear unmatched transactions, returned payments and duplicates
  • Reconcile AP subledger to the general ledger and prepare month‑end schedules
  • Review current AP, payments and reconciliation platforms and drive improvements
  • Collaborate with the wider FinOps team to standardise processes and controls

Conhecimentos

Accounts payable
Treasury operations
Excel
Analytical mindset
Collaborative

Ferramentas

Netsuite
Zonecapture
Omnea
SAP Concur

Descrição da oferta de emprego

WHO WE ARE

At Trustly, we're building a smarter, faster, and more secure financial future by revolutionizing the world of payments. As a global leader in Open Banking Payments, we are establishing Pay by Bank as the new standard at checkout, providing unparalleled freedom, speed, and ease to millions of consumers and merchants worldwide.

Our Ambition: To build the world's most disruptive payment network and redefine what the payment experience should feel like.

Trustly is a global team of innovators, collaborators, and doers. If you are driven by a strong sense of purpose and thrive in a dynamic, entrepreneurial, and high growth environment, join us and be part of a team that's transforming the way the world pays.

ABOUT THE ROLE

We are looking for an experienced and dynamic Cash & Payments Specialist to join our growing FinOps team. This role sits at the intersection of Accounts Payable, Accounting and Treasury, working out what needs to be paid and when, helping manage cash outflows in partnership with Treasury, and supporting the Director of Finnace Operations in defining payment prioritisation. You will also own daily, weekly and monthly bank reconciliations for assigned accounts, and play an active role in streamlining processes and platforms to drive long term efficiency. You'll be joining a global finance team.

Key Responsibilities
Payment Prioritisation & Cash Management:
  • Work with AP and Accounting to understand what needs to be paid, when, and why

  • Partner with Treasury to manage cash outflows and align funding to payment need

  • Support the Director of FinOps in defining and applying payment prioritisation criteria

  • Maintain and update the cash forecast, flagging risks or funding gaps early

Bank Reconciliation:
  • Perform daily, weekly and monthly bank reconciliations for assigned accounts

  • Investigate and clear unmatched transactions, returned payments and duplicate entries promptly

  • Reconcile the AP subledger to the general ledger and prepare supporting schedules for month end close

Process & Platform Improvement:
  • Review current AP, payments and reconciliation platforms and identify where they fall short

  • Support the evaluation, development and implementation of new systems and process changes to drive long term efficiency

  • Work with the global AP team to align processes and controls as new currencies and countries are added

  • Track key operational metrics and drive continuous improvement in accuracy, timeliness and efficiency

Cross Functional Collaboration:
  • Act as a key point of contact for payment and reconciliation related questions from internal stakeholders and external vendors

  • Work with the wider FinOps team and the accounts payable sub team to maintain consistent processes

  • Support the transition of processes as parts of the function evolve, including expansion into new currencies and countries

Qualifications & Experience
  • Experience: 2 to 3 years of accounts payable or treasury operations experience, including exposure to bank reconciliation and cash management

  • Tax Exposure: Some experience with vendor tax documentation collection is a plus

  • System Proficiency: Netsuite, Zonecapture, Omnea and SAP Concur an advantage

  • Skills: Strong analytical and Excel skills, high attention to detail, and a collaborative working style

  • Mindset: A startup mentality, comfortable in a fast paced, evolving environment, and confident working independently as an individual contributor

  • Languages: Fluent in English; additional languages a plus

Shape Your Role and Make an Impact

Join a dynamic environment where you can take ownership, drive change, and continuously embrace new challenges. We're looking for dedicated and highly motivated individuals who thrive in a fast paced environment and enjoy collaborating across different areas of the organisation.

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